And that's pretty clear message to investors that too much of
a volatile sector like oil and gas is not a great idea for your investment portfolio.
Investors seemed to do the worst in high - profile and
volatile sectors like emerging markets, financials and REITS.
In this webinar, sponsored by Scotia iTRADE, and presented by Bianca Baumann, attendees will learn about how Canada makes up less than 5 % of global equity markets yet most Canadian investors have much more domestic equity exposure than that and thus are heavily exposed to
volatile sectors like materials and energy.
Not exact matches
I need to be able to ride out less
volatile markets though (Equities have had more volatility lately, but that has not really translated to most other markets,
like my highest volume grain
sector.
We believe that assessing data
like this is useful in identifying what can be characterized as «normal» for this nascent and largely
volatile sector.
Investments in fast - growing industries
like the technology and healthcare
sectors (which have historically been
volatile) could result in increased price fluctuation, especially over the short term, due to the rapid pace of product change and development and changes in government regulation of companies emphasizing scientific or technological advancement or regulatory approval for new drugs and medical instruments.
Investments in fast - growing industries
like the technology and health care
sectors (which have historically been
volatile) could result in increased price fluctuation, especially over the short term, due to the rapid pace of product change and development and changes in government regulation of companies emphasizing scientific or technological advancement or regulatory approval for new drugs and medical instruments.
A
sector - based ETF,
like one that tracks resource stocks, may be more
volatile.
Especially in a
volatile trading environment
like we have gotten used to recently, there are often times when stocks,
sectors or the broad market can find itself overbought or oversold.
Less
volatile stocks,
like those in the consumer staples
sector, are unlikely to go bust.
If so, are you willing to hold stocks in more
volatile sectors,
like Manufacturing and Resources, even when those
sectors are down?
Ordinarily my
sector rotation methods help my portfolio to be less
volatile than the market, but at present my «beta» feels
like 1.3.